Financials
Value 202020212022202320242025 TTM Cash from investing activities -86.56 M-33.23 M-103.74 M-236.77 M-462.9 M-203.45 M -203.45 M Cash from financing activities -8.95 M-44.56 M-78.24 M-8.56 M365.04 M26.09 M 26.09 M Free cash flow 8.63 M44.44 M96.31 M-30.31 M-139.23 M-41.13 M -41.13 M